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Risk Manager - Fixed Income

Employer
Finance Network
Location
New York, USA
Salary
Highly Competitive Total Compensation Package
Closing date
Mar 29, 2023

View more

Job Function
Hedge Funds
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
The Risk Manager will engage daily with the firm's investment teams and is responsible for a broad range of functions, including:
  • partnering with portfolio managers to analyze, quantify and manage risks
  • back testing and simulations
  • portfolio and trade construction

The successful candidate will be a high-performance individual with the following:
  • 7+ years relevant experience underpinned by a record of academic excellence - front office risk, desk quant, strategist, trading.
  • Masters preferred with a undergraduate degree in quantitative discipline from a top institution required.
  • Deep working knowledge of rates is a must.
  • A degree of technical proficiency as it relates to Python/SQL and the handling of large data sets is also vital.
  • Outstanding communication skills - and the ability to clearly and succinctly deliver thoughtful analysis - are paramount as there is extensive interaction not only with the firm's management team and PMs.

Please submit an application for more detailed information and a discussion in confidence.

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